Real estate valuation, current account and credit growth patterns, before and after the 2008–9 crisis ☆
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Investment decision for coastal urban development projects considering the impact of climate change: Case study of the Great Garuda Project in Indonesia
Revitalisation of Downtown Khedive Cairo: A contested sovereignty
Dynamics of international spillovers and interaction: Evidence from financial market stress and economic policy uncertainty
Shadow banking in Asia: Foreign versus domestic lending to real estate projects
Diversified Investments of Wealthy Ethiopian Pastoralists Include Livestock and Urban Assets That Better Manage Risk
Energy retrofit alternatives and cost-optimal analysis for large public housing stocks
Growth of industrial CO2 emissions in Shanghai city: Evidence from a dynamic vector autoregression analysis
Gentrification, suburban decline, and the financialization of multi-family rental housing: The case of Toronto
International money supply and real estate risk premium: The case of the London office market
Fundamentals and the volatility of real estate prices in China: A sequential modelling strategy
Optimal life cycle mortgage and portfolio choices in the presence of the affordability constraint
Pricing and simulation for real estate index options: Radial basis point interpolation
On the cyclicality of default rates of banks: A comparative study of the asset correlation and diversification effects
The (dis)advantages of clearinghouses before the Fed
Financing eco cities and low carbon cities: The case of Shenzhen International Low Carbon City
Why the market value of residential premises and the costs of its purchase differ: The examples of Belarus and Poland
Pricing real estate index options by compactly supported radial-polynomial basis point interpolation
Time-varying diversification strategies: The roles of state-level housing assets in optimal portfolios
Understanding the impact of severe hyperinflation experience on current household investment behavior
Risk- and value-based management for non-life insurers under solvency constraints
Socioeconomic and racial disparities in the financial returns to homeownership
Network features of sector indexes spillover effects in China: A multi-scale view
Predicting failure in the U.S. banking sector: An extreme gradient boosting approach
Green label signals in an emerging real estate market. A case study of Sao Paulo, Brazil
Instrumental exploitation: Predatory property relations at cityâs end
Financial development, financial constraint, and firm investment: Evidence from Thailand
Reprint of: Assessing the effects of unconventional monetary policy and low interest rates on pension fund risk incentives
Financial literacy and participation in the derivatives markets
A comprehensive view on risk reporting: Evidence from supervisory data
Characterizing the relationship between road infrastructure and local economy using structural equation modeling
Sustainable market valuation of buildings by the single-valued neutrosophic MAMVA method
Access to bank financing and the collateral channel: The case of Tunisian firms before and after the revolution
Pricing real estate index options under stochastic interest rates
Optimal real estate capital durability and localized climate change disaster risk
Financialization as strategy: Accounting for inter-organizational value creation in the European real estate industry
Assessing targeted macroprudential financial regulation: The case of the 2006 commercial real estate guidance for banks
A green winner's curse? Investor behavior in the market for eco-certified office buildings
Return expectations and risk aversion heterogeneity in household portfolios
Disaggregated property price appreciation: The mixed repeat sales model
A Multi-criteria Framework for Decision Process in Retrofit Optioneering through Interactive Data Flow
Uneven development, urbanization and production of space in the middle-scale region based on the case of Jiangsu province, China
Sector-specific analysis of non-performing loans in the US banking system and their macroeconomic impact
What has happened in Spain? The real estate bubble, corruption and housing development: A view from the local level
Who acquires whom among stand-alone commercial banks and bank holding company affiliates?
Housing boom, real estate diversification, and capital structure: Evidence from China
Cyclical co-movements of private real estate, public real estate and equity markets: A cross-continental spectrum
The making of urban financialization? An exploration of brazilian urban partnership operations with building certificates
Explosive rents: The real estate market dynamics in exuberance
How big is Chinas real estate bubble and why hasnt it burst yet?
Real estate, banking and war: The construction and reconstructions of Beirut
Capital liberalization and various financial markets: Evidence from Taiwan
The impact of oil shocks on the housing market: Evidence from Canada and U.S
Nonperforming loans in the GCC banking sectors: Does the Islamic finance matter?
Assessing the effects of adding timberland and farmland into resource-based Sovereign Wealth Fund portfolios
How strong are the linkages between real estate and other sectors in China?
Chinese consumers' brand personality perceptions of tourism real estate firms
Procurement in the Real Estate and Construction Sector (RECS) – Preliminary Context-specific Attributes ☆
Real estate collateral value and investment: The case of China
Valuing Direct Real Estate Investments by Using the ADAM Modelling Approach ☆
Intermediated investment management in private markets: Evidence from pension fund investments in real estate ☆
Designing and implementing a real estate appraisal system: The case of Québec Province, Canada